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FEDERAL -= RESERVE statistical release fOR IMMEDIATE RELEA5E MAY 7t 1974 ····· ASSETS A~D LIARILITIES OF ALL COMMERCIAL BANKS IN THE UNITED ST4TES APRIL 24t 1Q74 ~ILLIONS OF DOLLARS) ALL COML. BANKS ALL MEMBER BANKS 691 430 535 '946 8At649 28,431 l99t020 219' 846 503.,690 55,500 132,240 399,125 39,274 97,547 73t431 4t452 10t766 23,078 lt396 3,957 153t446 12t596 3?.,978 149, 170 20t830 49,A46 102 070 87,157 23,980 3,964 31t593 27,620 29,500 10,050 29,180 33,340 29,501 7.547 17.787 32.322 6,521 589 6.100 10.770 1,858 157 331 1,618 10t508 2t413 4tl43 l4t529 10.614 4t388 7t213 5,405 36,670 30, 349 e,o55 lt337 11,603 g, 354 830,170 653,452 120,684 33.732 242.216 256,820 GROSS DEMAND DEPOSITS GROSS TIME DEPOSITS 271,230 391,500 214tl45 298,715 47,058 40,748 8,450 14,867 74t462 l08t822 84,175 134t27A TOTAL DEPOSITS 662,730 512t860 87t806 23.317 l83t284 218t453 38,080 6,400 234,420 383,830 35,769 5,171 179,995 291,925 19.302 694 30 ,au 36,999 2,223 194 6,681 14,219 l0t713 2·349 63t284 l06t938 3t';31 lt934 79t219 133t769 BORROWINGS 66,850 62,981 15t461 6,481 3lt645 9t394 OTHER LIABILITIES 41 '110 31,720 8t419 lt931 1lt239 10tl31 TOTAL CAPITAL ACCOUNTS 59,480 45t891 8,998 2.003 16t048 18t842 H.8 !PARTLY ESTIMATED. IN RESERVE CITY BANI(S J..l NEW YORK CITY OF nTHER CHICAGO COUNTRY BANKS .l/ ASSEl.S LOANS AND INVEST~ENTS LOANS AND DISCOUNTS u.s. TREASURY SECURITIES OTHER SECURITIES RESERVES, CASH, AND BANK BALANCES RESERVES WITH FR BANKS CASH IN VAULT BALANCES WITH BANKS CASH ITEMS OTHER ASSETS TOTAL ASSETS/LIABILITIES DEPOSITS OF BANKS U.S. GOVT. DEPOSITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS SEAScitW.U..AO.l.llJSIElL UAl.A LOANS AN~ INVESTMENTS 2/ LOANS AND DISCOUNTS ~/ COMMERCIAL ~ INOUSTRIAL U.S. TREASURY SECURITIES OTHER SECURITIES PLUS LOANS SOLD OUTRIGHT TO AFFILIATES LOANS AND DISCOUNTS 2/ COMMFP~IAL ~ INDUSTRIAL 658,800 471,600 169,900 56,100 131,100 1/ AS OF NOV. 9t 1972, THE OEFINITIONS OF RESERVE CITY AND COUNTRY RANKS WERE CHANGED !SEE FEDERAL RESERVE ~ULLETINt NOV. 1972t P, 994). THE CLASSIFICATIONS EMPLOYED HERE ARE THE SAME AS THOSE PRIOR TO THE CHANGE IN DEFINITION, SO THfSE SERIES ARE CONTINUOUS OVER TIME. 21 EXCLUDES DOMESTIC COMMERCIAL INTERFIANK LOANS. 477,000 173,000 NOTE: COMPARABILITY OF FIGURES AFFECTED RY CHANGES IN MEMBER~HIPt MEPGERS, ETC. - 2- IN ASSF.TS AND LIAAILITIES OF ALL COMMERCIAL BANKS IN THE UNITED STATES C~ANGES APRTL 17, 1974 TO H.S (PARTLY ~STIMATED. APRIL 24, 1974 IN MILLIONS OF DOLLARS) RESERVE CITY BANI(S _ll. t;ITY UF OTHER CHICAGO CITY COUNTRY BANKS_l/ -1.761 -754 •622 .. 2, 315 •3,.975 -1,536 +59 •1t000 -645 -116 -553· -217 +16 -121 -439 -62 .. z. 301 - 8.150 -7,496 -1.162 -691 -4.667 -976 + 110 + 170 - 1,lHO - 6,520 +108 +110 -1.428 -6,286 -3 +15 -124 -1.050 +153 -3 -233 -608 -747 +8 -535 •3t393 +705 +90 -536 •1t235 280 -146 -ss -6 +103 -188 -15 530 -13,094 -2.978 -1,451 •5tl86 -3,479 GROSS DEMAND DEPOSITS GROSS TIME DEPOSITS -18,040 + 2 370 -14.702 +2,231 -2.913 +406" ·883 +369 -5.902 +lt248 -5.004 +208 TOTAL DEPOSITS -15,670 -12t47l -2,507 -514 •4t654 -4.796 - 2,290 - 1,400 -14,160 + 2,180 -2,071 -1.281 -11' 168 +2,049 -641 -561 •lt602 +297 +35 -160 -771 +382 -1·021 -357 •4t437 +lt161 •444 •202 •4t358 +20A ALL COML. BANKS ALL MEMBER BANKS Nt.W YUI'CI'I: - 7 100 -5, 452 - 5,590 - 1, 720 + 210 ITEM AC::c:;E ·s LOANS AND INVESTMENTS LOANS AND DISCOUNTS u.s. TREASURY SECURITIES OTHER SECURITIES RESERVESt CASHt AND BANK BALANCES RESERVES WITH FR BANKS CASH IN VAULT BALANCES WITH BANKS CASH ITEMS OTHER ASSETS TOTAL ASSETS/LIABILITIES - •235 +221 _IJ&B ILl IlES-LCAf..IIAl. DEPOSITS OF BANKS u.s. GOVTe DEPOSITS OTHER DEMAND DEPOSITS OTHER TIME DEPOSITS BORROWINGS - 670 -1,041 -136 -803 -998 +896 OTHER LIABILITIES + 760 +386 -30~ -133 +413 +409 TOTAL CAPITAL ACCOUNTS + 50 +32 -32 -1 +53 +12 FOR NUMBERED FOOTNOTES SEE PaGE 1. - 3- CHANGES TN AS~~TS AND LIA~ILITIES APRTL 25• OF ALL COMMERCIAL 1~13 IN THE UNITEn STATES BA~KS APRIL 24• 1974 TO !PARTLY FSTIMATED. IN MILLIONS OF DOLLARS! RESERVE CITY BANKS ~/ YUI'(!(. I,; 11 T Ut UT"ifR CHICAGO CtTY COIJNTRY BANKS _1/ ALL COML. RANKS ALL MEMBER BANKS +74,950 +59' 207 +1lt815 +5,631 +23t266 +18, 495 +66,170 - 4,900 +13,680 +52, 260 -3,243 +10.190 +10.036 +198 •1.581 +4,825 -18 +824 +20t193 -alA +3t891 +17' 206 -2.605 +3t894 +10 490 +8,938 +4,270 +687 +lt482 +2t~99 + 3,650 + 900 + 4,130 + 1,810 +3,653 +6}8 +2,879 +lt78A •1.309 +31 +},885 +1,045 +434 +21 +80 +152 +415 +244 +448 +375 +lt495 +322 +46f. +216 + 5,990 +4, 895 +977 +244 +?t206 +1 ,468 +91 430 +73,040 +17.062 +6,562 +26,954 +22.462 GROSS DEMAND DEPOSITS GFlOSS TIME DEPOSITS + 8,930 +49~230 +6,5h3 +37,912 +4,323 +6,188 +Al +3,216 +436 +14,488 +le723 +14e020 TOTAL UF.POSITS +58,160 +44,475 +10.511 +3,297 +14.924 +15t743 +6,783 +586 -414 +42 +3,083 +958 •2t00A +},797 +14,177 +101 -ltlBA +2,742 +14.088 ITEM NI:.W .9~~-k..!.~ LOAN!;: ANn !~VESTMENTS LOANS AND DISCOUNTS u.s. TREASURY SECURITIES OTHER c:;ErURITIES RESERVES• CA~H, AND BANK RALANCES RESE~VFS WITH FR RI\I\IK<:: CASH IN VAULT BALANCE'S wiTH RANI<S CAC\H JTFI-"C: OTHF.R ASSETS TOTAL ASSETS/LIAHILITIES _L.l!alJ..lllfS_i_CWIAl. DFPOSITS OF BANKS u.c. t;("\VT • DEPOSITS OTHEk DE~AND DEPOSITS OTHER TIME DEPOSITS + 6,980 - 5,320 + 9,250 +47,250 +6,324 +36,033 +5,138 -1.055 +1,743 +4,685 BOPRf'WINGS +21,020 +19 .. 905 +5,570 +2,510 +Q,039 +2t78~ OTHEP. LIABILITIE" + 6,520 +4,575 +76 +651 +lt848 +2QOOO TOTAL CAPITAL ACCOUNTS + 5,730 +4,085 +905 +104 +1•143 +1t933 Sf~ Ol!AJ..l.J: .....A.O.JUSIED_flAli LO.ANS AN!"') INVESTMENTS Z/ l OAI'IS AI\IO DISCOUNTS ..2../ COMt-'FRC IAL ~ INOUSTQIAL u.s. TREASURY SECURITIF-S OTHER SECURITIES PLIJS LOAI\IS SOLI) OUTPIGHT TO AFFTL!ATES LOA~S AND DISCOUNTS ?./ r:nr-1r-1ERCIAL &. INDUSTRIAL +69,200 +60,500 +26,000 - 4,900 +13,600 +62,300 +26,800 -4,6~5 FOR NUMREREn FOOTNOTES SEF PAGE 1. - 4 - CONSOLIDATED CONDITION STATEMENT FCR BANKS AND THE MONETARY SYSTEM* All Commercial, Savings, and Federal Reserve Banks, and Treasury Currency Funds H.8 (Partly est~ated. In billions of dollars) Apr. 24, Mar. 27, Apr. 25, Change to Apr~ 2,4, 1974 from -!Mar. 27, Apr. 25, 1973 1974 1974 1973 1974 . !J Item ASSETS 20.8 11.6 .4 8.8 20.7 11.6 .4 8.8 19.3 10.4 .4 8.5 ----_.. 816.0 804.9 750.9 +11.9 +65.0 520.2 140.6 510.2 140.6 467.9 140.7 +10.0 .1 - +52.3 .2 58,5 79.1 2.9 59.7 78.0 2.9 63.8 74.0 2.9 - 1.2 + 1.1 - 5.3 + 5.1 155.2 154.1 142.2 + 1 l +12.9 836.7 825.6 770.2 +11.1 +66.6 Total deposits adjusted and currency outsi~e banks 745.0 733.4 681.4 +11 6 +63 .7 Currency outside banks Demand deposits adjusted Time deposita adjusted 62.0 201.1 482.0 61.3 197.7 ·474.5 56.9 193.6 430.9 + .7 + 3.4 + 7.5 + 5.1 + 7.4 +51.1 8 8 8 7 15.4 + 1 - 6 .6 At commercial and savings banks At Federal Reserve Banks 6.4 ·2.4 6.6 2.1 11.7 3.7 + .2 .3 - 5.3 - 1.3 bank deposits, net 4.8 5.0 3.2 .2 + 1.6 .3 .3 .4 .1 - 78 1 6q 8 825.6 770.2 Monetary reserve Gold stock Special Drawing Rights certificates Treasury ~urrency Bank credit Loans, net T_reasury securities u. s. Commercial and savings banks Federal Reserve Banks Other Other securities Total assets, net -- + 1.6 + 1.2 + --.4 - -- LiABILriiES AND CAPITAL u. !/ S. Government deposits Fo~eign Tr~asury cash Capital and miscellaneous account, net Total liabilities and capital, net 77 8. 836.7 - -+11.1·" .1 + R 0 +66.6 Seasonalli adjusted + .7 + 5.2 61.9 57.4 62.6 Currency outside banks + 7.5 201.9 193.0 200.5 - 1.4 Demand deposits adjusted * Figures may not add to totals because of rounding. Treasury funds included are gold account, Treasury currency account, and Exchange Stabilization Fund. 1/ Demand deposits adjusted, including demand deposits of foreign banks and of ~mutual savings banks, were $ 207.3 billion on April 24, 1974. !./ Revised.